Marek Gajda has experience in performance analysis, risk management reporting, credit risk analysis, liquidity management, funds trade settlement, treasury and cash control analysis, and net asset value analysis. Marek's educational background includes a Master's degree in Strategic Management, Finance, and Accounting and Finance. Marek has worked at Intermediate Capital Group, Citi, iwoca, Goldman Sachs, and Franklin Templeton Investments, showcasing a diverse skill set in the financial sector.
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April, 2023 - present
September, 2021